Difference between revisions of "Treasurer"
From Makers Local 256
m (→Workflows: added first draft of setup instructions) |
m (→Workflows: added receipt workflow) |
||
Line 42: | Line 42: | ||
=Workflows= | =Workflows= | ||
+ | ==Writing Receipts== | ||
+ | * Get Name, Address, Phone number, List and quantity of items | ||
+ | * Use receipt template.odt | ||
+ | * Fill out and print | ||
+ | * Sign and scan it | ||
+ | * Save the pdf in the Board Briefcase in Zimbra | ||
+ | |||
==Setup new Treasurer== | ==Setup new Treasurer== | ||
* Checkout books from subversion | * Checkout books from subversion |
Revision as of 19:20, 24 April 2012
Contents
[hide]Description
See Bylaws.
Duties
Continuous
- Writing Receipts
- Ensure 501c3 Compliance is being Followed.
- Collaborate with those doing fund raising for the organization.
- Uphold Makers Local 256 Financial Policies
Monthly
- Collect Membership Dues
- Pay Bills
- Record transactions in Ledger
- Mark member donations in Donations WebApp
- Prepare Treasurer's report for Board meeting
- Report should consist of, or include figures from the Ledger
- Report should mention if we cannot make our next months immediate bills
- Report should include a list of delinquent members
Annually
- Prepare Treasurer's report for Member's Meeting
- File Tax Forms (990-N)
Action Items
Current
See Action Items
Action Item Notes
Past
- Acquire Non-Profit Status
- Obtain EIN from IRS
- Obtain Makers Local 256 bank account
- File for 501c3 Status
Tools
- Company Matching page for donation matching
- Treasurer/Transition Checklist page for transitioning office of Treasurer
Workflows
Writing Receipts
- Get Name, Address, Phone number, List and quantity of items
- Use receipt template.odt
- Fill out and print
- Sign and scan it
- Save the pdf in the Board Briefcase in Zimbra
Setup new Treasurer
- Checkout books from subversion
- Configure Gnucash
- Preferences
- General
- Files: Uncheck Compress Files
- Retain log files: Never
- General
- Preferences
Mondays, Wednesdays, Saturdays
it's recommended to do these in a short timeframe, while at the shop
- Remove any bills and donations from the donation box at the shop
- svn up the gnucache directory
- Added any bills and donations to gnucache
- svn commit gnucache directory
- This notifies the webmaster to do the following:
- svn up the gnucache directory on the webserver
- run donation_check.pl for the current and past few months
- perform the needed add_user and mark as paid operations
- run report.pl for the current month and update the channel topic
Tuesdays, Thursdays
- Fill out bank deposit
- Make bank deposit
First of the Month
- Schedule rent payment
About the 25th
- Pay utility bill when it gets emailed to treasurer@
The day or so before the monthly meeting
- run report.pl and update Treasurer Report section of meeting page